C

CIE Automotive SA
F:CAD

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CIE Automotive SA
F:CAD
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Price: 28.75 EUR -1.2%
Market Cap: €3.4B

Cash Flow Statement

Cash Flow Statement
CIE Automotive SA

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Cash Flow Statement
Currency: EUR
Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025
Operating Cash Flow
Net Income
52
22
8
25
42
64
80
75
76
77
78
85
98
131
146
160
190
229
258
287
437
442
314
202
253
398
382
404
432
470
469
463
464
468
Depreciation & Amortization
77
68
64
81
81
88
89
90
88
84
90
98
110
120
121
120
127
135
152
149
164
178
167
149
148
166
161
169
187
194
186
189
189
189
Change in Deffered Taxes
5
0
3
(3)
(6)
1
(14)
(21)
(50)
(52)
(29)
(25)
14
16
(2)
(5)
(6)
(5)
5
7
2
1
35
27
0
0
0
0
0
0
0
0
0
0
Other Non-Cash Items
17
22
18
30
59
62
55
46
64
74
71
80
44
44
50
41
47
41
72
67
(131)
(140)
5
26
26
22
30
20
41
19
6
51
71
71
Cash Taxes Paid
14
9
11
17
23
24
21
23
18
14
16
20
20
31
32
29
43
57
56
58
67
57
59
56
43
53
54
68
83
77
84
89
91
103
Cash Interest Paid
55
53
52
65
64
67
72
76
70
68
44
44
61
53
44
37
38
39
50
49
39
43
46
46
34
31
27
18
23
48
80
89
84
68
Change in Working Capital
(76)
(74)
12
11
(55)
(135)
16
38
(57)
(122)
(56)
(32)
(52)
(67)
34
124
(13)
12
(18)
(24)
(60)
(33)
29
(141)
(35)
(25)
(108)
(76)
(81)
(62)
(146)
(176)
(188)
(175)
Cash from Operating Activities
74
N/A
46
-38%
104
+128%
144
+38%
122
-15%
80
-35%
226
+183%
228
+1%
121
-47%
62
-49%
154
+147%
206
+34%
215
+4%
243
+13%
348
+43%
439
+26%
344
-22%
411
+19%
469
+14%
487
+4%
412
-16%
447
+9%
550
+23%
262
-52%
391
+49%
566
+45%
465
-18%
518
+11%
579
+12%
617
+7%
516
-16%
524
+2%
537
+2%
552
+3%
Investing Cash Flow
Capital Expenditures
(146)
(110)
(85)
(84)
(85)
(96)
(104)
(97)
(78)
(85)
(92)
(99)
(124)
(145)
(159)
(167)
(183)
(242)
(282)
(258)
(207)
(195)
(223)
(190)
(159)
(185)
(192)
(183)
(217)
(234)
(220)
(250)
(248)
(207)
Other Items
(3)
(22)
(11)
(11)
(79)
(122)
34
94
(31)
(77)
(203)
(209)
(216)
(184)
(35)
(170)
(396)
(402)
(223)
(212)
(217)
(756)
(692)
(90)
(93)
(17)
(23)
3
(54)
(62)
(53)
(41)
(42)
(6)
Cash from Investing Activities
(149)
N/A
(132)
+11%
(96)
+27%
(95)
+1%
(164)
-72%
(218)
-33%
(70)
+68%
(3)
+96%
(109)
-3 786%
(162)
-49%
(295)
-83%
(308)
-4%
(339)
-10%
(329)
+3%
(194)
+41%
(337)
-73%
(578)
-72%
(644)
-11%
(505)
+22%
(471)
+7%
(424)
+10%
(951)
-124%
(916)
+4%
(280)
+69%
(251)
+10%
(201)
+20%
(215)
-7%
(179)
+17%
(270)
-51%
(296)
-9%
(273)
+8%
(291)
-7%
(290)
+0%
(213)
+27%
Financing Cash Flow
Net Issuance of Common Stock
(2)
(4)
(1)
0
(3)
(4)
(15)
(33)
(31)
(17)
90
186
92
(0)
0
0
88
83
1
14
8
(8)
0
(59)
(95)
(38)
0
(57)
(60)
2
3
(2)
(0)
(0)
Net Issuance of Debt
123
18
29
79
62
114
73
(26)
11
(31)
(47)
(66)
26
30
(158)
(75)
144
133
6
111
155
807
716
138
132
(181)
(132)
(117)
(78)
(115)
(21)
15
(8)
(178)
Cash Paid for Dividends
(8)
0
0
0
0
0
0
(20)
(20)
(9)
(19)
(20)
(22)
(25)
(26)
(34)
(43)
(48)
(53)
(63)
(72)
(76)
(80)
(88)
(94)
(77)
(61)
(75)
(87)
(92)
(99)
(104)
(108)
(109)
Other
(14)
(13)
(4)
10
7
177
165
(13)
5
9
(7)
(6)
(7)
(4)
(0)
157
148
(6)
2
46
(115)
(162)
(0)
13
4
(17)
(8)
(4)
(10)
(41)
(4)
20
(10)
(11)
Cash from Financing Activities
99
N/A
2
-98%
24
+1 256%
89
+264%
66
-26%
287
+337%
222
-23%
(91)
N/A
(34)
+63%
(48)
-44%
18
N/A
94
+431%
88
-6%
2
-98%
(183)
N/A
48
N/A
337
+603%
163
-52%
(44)
N/A
108
N/A
(25)
N/A
569
N/A
635
+12%
4
-99%
(54)
N/A
(313)
-484%
(201)
+36%
(253)
-26%
(236)
+7%
(246)
-4%
(121)
+51%
(70)
+42%
(127)
-82%
(298)
-135%
Change in Cash
Effect of Foreign Exchange Rates
0
6
0
19
14
1
(11)
(26)
(37)
(37)
(18)
8
7
1
(7)
(8)
9
4
(3)
(2)
(1)
2
(5)
(18)
(37)
(7)
45
63
10
(43)
(24)
(16)
(13)
(47)
Net Change in Cash
24
N/A
(79)
N/A
32
N/A
157
+383%
37
-76%
149
+303%
367
+146%
108
-71%
(59)
N/A
(185)
-216%
(142)
+23%
(0)
+100%
(29)
-14 531%
(84)
-186%
(37)
+56%
143
N/A
112
-22%
(66)
N/A
(83)
-26%
122
N/A
(39)
N/A
68
N/A
265
+288%
(31)
N/A
50
N/A
45
-9%
94
+107%
148
+58%
83
-44%
32
-61%
98
+207%
147
+50%
107
-27%
(5)
N/A
Free Cash Flow
Free Cash Flow
(72)
N/A
(64)
+11%
19
N/A
60
+210%
37
-38%
(16)
N/A
123
N/A
131
+7%
43
-67%
(23)
N/A
62
N/A
107
+72%
91
-15%
98
+8%
189
+92%
272
+44%
162
-40%
170
+5%
187
+10%
229
+22%
204
-11%
253
+24%
327
+29%
72
-78%
233
+224%
382
+64%
273
-28%
335
+22%
362
+8%
383
+6%
295
-23%
273
-7%
289
+6%
345
+20%